How calculate net assets per share?

1 answer

Answer

1091637

2026-08-09 21:05

+ Follow

Calculating NAVs - Calculating mutual fund net asset values is easy. Simply take the current market value of the fund's net assets (securities held by the fund minus any liabilities) and divide by the number of shares outstanding. So if a fund had net assets of Rs.50 lakh and there are one lakh shares of the fund, then the price per share (or NAV) is Rs.50.00.

ReportLike(0ShareFavorite

Copyright © 2026 eLLeNow.com All Rights Reserved.